10 for the year ended 30 June 2024 All figures are in A$000's Ordinary shares Preference shares Foreign currency translation reserve Asset revaluation reserve Capital and other reserves Non- controlling interest Retained earnings Total equity Balance as at 1 July 2022 267,765 - (2,013) 385 4,151 359 (84,293) 186,354 Loss for the period - - - - - (145) (66,428) (66,573) Other comprehensive income - - 3,708 - - (28) - 3,680 Total comprehensive loss for the period - - 3,708 - - (173) (66,428) (62,893) Preference share issuance* - 10,000 - - - - - 10,000 Share based payment - - - - 344 - - 344 Dividend paid - - - - - - (15,750) (15,750) Balance as at 1 July 2023 267,765 10,000 1,695 385 4,495 186 (166,471) 118,055 Profit for the period - - - - - (7) 49,767 49,760 Other comprehensive loss - - (340) - - (15) 0 (355) Total comprehensive income for the period - - (340) - - (22) 49,767 49,405 Share based payment - - - - 264 - - 264 Dividend paid - - - - - - (3,400) (3,400) Balance as at 30 June 2024 267,765 10,000 1,355 385 4,759 164 (120,104) 164,324 The above Statement of Changes in Equity is to be read in conjunction with the accompanying notes. * Refer to Note 21 Issued Capital for additional information Consolidated Statement of Changes in Equity
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